animate text





My Fund Comparison
Initilizing list...





Tri-Continental Corporation Announces Repurchase Price
and List of Distributable Assets in Connection with In-Kind Tender Offer
Tri-Continental Corporation


New York, December 12, 2008 -- Tri-Continental Corporation (TY) today announced  that, in accordance with its in-kind tender offer (the "In-Kind Offer") to repurchase up to 36,308,589 of its shares of common stock, representing approximately 35% of its issued and outstanding shares ("Common Stock"), which expired at 5 p.m. on Thursday, December 11, 2008, the Corporation has accepted 25,633,247 properly tendered shares, representing approximately 24.4% of the Corporation's Common Stock outstanding, at a price per share of $10.98 (the "Repurchase Price"), which is equal to 99.25% of the net asset value per share of Common Stock as of the close of the regular trading session of the New York Stock Exchange on December 12, 2008. The shares of Common Stock accepted represented 100% of the shares properly tendered in the In-Kind Offer. The total value of assets of the Corporation to be distributed in payment for such properly tendered shares of Common Stock accepted in the In-Kind Offer based on the Repurchase Price is $281,453,052.

Attached hereto as Exhibit A is a description of the distributable assets as of December 12, 2008 that stockholders who chose to participate in the In-Kind Offer will receive. The market value and percentage of the Corporation's total distributable assets represented by each of the distributable assets listed below may decrease or increase before the actual receipt by stockholders of the distributable assets. The Corporation expects to deliver the distributable assets on December 18, 2008 to brokers whose customers tendered shares in the In-Kind Offer through the Depository Trust & Clearing Corporation ("DTCC"). All securities to be distributed to tendering stockholders will be rounded down to the next full share. The Corporation will distribute cash in lieu of any fractional share of a security that is not distributed due to rounding in this manner.

The Corporation made the In-Kind Offer in connection with a settlement agreement, dated as of August 19, 2008, between the Corporation and a stockholder group, including Western Investment LLC.

The In-Kind Offer referred to in this announcement was made only by the offer to repurchase filed with the Securities and Exchange Commission.

The Corporation is one of the nation's largest, diversified, publicly traded closed-end equity investment companies and has paid dividends for 64 consecutive years. Effective November 7, 2008, the Corporation is managed by RiverSource Investments, LLC, a wholly owned subsidiary of Ameriprise Financial, Inc. Prior to then, the Corporation was managed by J. & W. Seligman & Co. Incorporated. Seligman Advisors, Inc. is the principal underwriter of the Seligman mutual funds.

The net asset value of shares may not always correspond to the market price of such shares. Common Stock of many closed-end funds frequently trade at a discount from their net asset value. The Corporation is subject to stock market risk, which is the risk that stock prices overall will decline over short or long periods, adversely affecting the value of an investment in the Corporation.

You should consider the investment objectives, risks, charges, and expenses of the Corporation carefully before investing. A prospectus containing information about the Corporation (including its investment objectives, risks, charges, expenses, and other information about the Corporation) may be obtained by contacting your financial advisor or Seligman Advisors, Inc. at 800-221-2783. The prospectus should be read carefully before investing in the Corporation.

There is no guarantee that the Corporation's investment goals/objectives will be met, and you could lose money.

This press release shall not constitute an offer to sell or a solicitation to buy, nor or a prospectus, circular or representation intended for use in the purchase or sale of Corporation shares, nor shall there be any sale of these securities in any state or jurisdiction in which such offer or solicitation or sale would be unlawful prior to registration or qualification under the laws of such state or jurisdiction.


NOT FDIC INSURED  MAY LOSE VALUE  NO BANK GUARANTEE
NOT A DEPOSIT     NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY

                                                                   EXHIBIT A
Tri-Continental Corporation
List of Assets Distributable in In-Kind Tender Offer
                                                                   % Distributable Assets
CUSIP/Security ID  Security Name                                   as of December 12, 2008
88579Y101          3M COMPANY                                      0.51%
000375204          ABB LTD.                                        0.40%
002824100          ABBOTT LABORATORIES                             1.58%
002896207          ABERCROMBIE + FITCH CO.                         0.79%
00507V109          ACTIVISION BLIZZARD INC.                        1.20%
00130H105          AES CORPORATION                                 0.41%
013817101          ALCOA INC.                                      0.45%
02209S103          ALTRIA GROUP, INC.                              0.88%
025816109          AMERICAN EXPRESS COMPANY                        0.70%
031162100          AMGEN INC.                                      0.94%
032654105          ANALOG DEVICES INC.                             0.39%
037833100          APPLE INC.                                      0.91%
00206R102          AT+T INC.                                       2.43%
057224107          BAKER HUGHES INCORPORATED                       0.28%
060505104          BANK OF AMERICA CORPORATION                     1.60%
064058100          BANK OF NEW YORK MELLON CORPORATION             0.71%
067901108          BARRICK GOLD CORPORATION                        0.58%
071813109          BAXTER INTERNATIONAL INC.                       0.59%
055921100          BMC SOFTWARE INC.                               0.58%
097023105          BOEING COMPANY                                  0.45%
110122108          BRISTOL-MYERS SQUIBB COMPANY                    1.28%
156708109          CEPHALON, INC.                                  0.99%
165167107          CHESAPEAKE ENERGY CORPORATION                   0.55%
166764100          CHEVRON CORPORATION                             2.69%
125509109          CIGNA CORPORATION                               0.51%
17275R102          CISCO SYSTEMS, INC.                             1.08%
125581108          CIT GROUP INC.                                  0.47%
172967101          CITIGROUP INC.                                  0.45%
20030N101          COMCAST CORPORATION (CLASS A)                   0.76%
205862402          COMVERSE TECHNOLOGY, INC.                       1.11%
20825C104          CONOCOPHILLIPS                                  1.45%
81369Y407          CONSUMER DISCRETIONARY SELECT SECTOR SPDR FUND  1.76%
126650100          CVS CAREMARK CORPORATION                        0.95%
244199105          DEERE & COMPANY                                 0.27%
247361702          DELTA AIR LINES, INC.                           2.43%
28336L109          EL PASO CORPORATION                             0.68%
30161N101          EXELON CORPORATION                              0.96%
302182100          EXPRESS SCRIPTS, INC.                           0.61%
30225X103          EXTERRAN HOLDINGS INC.                          0.25%
30231G102          EXXON MOBIL CORPORATION                         5.19%
81369Y605          FINANCIAL SELECT SECTOR SPDR FUND               1.65%
345838106          FOREST LABORATORIES, INC.                       0.92%
34958B106          FORTRESS INVESTMENT GROUP LLC (CLASS A)         0.16%
G36535139          FOSTER WHEELER LTD.                             0.35%
35671D857          FREEPORT-MCMORAN COPPER & GOLD, INC. (CLASS B)  0.36%
35906A108          FRONTIER COMMUNICATIONS COMPANY                 0.70%
369604103          GENERAL ELECTRIC COMPANY                        2.13%
38259P508          GOOGLE INC. (CLASS A)                           1.39%
406216101          HALLIBURTON COMPANY                             0.38%
416515104          HARTFORD FINANCIAL SERVICES GROUP, INC.         0.27%
42222G108          HEALTH NET INC.                                 0.36%
428236103          HEWLETT-PACKARD COMPANY                         1.29%
436440101          HOLOGIC INC.                                    0.58%
438516106          HONEYWELL INTERNATIONAL INC.                    0.93%
458140100          INTEL CORPORATION                               1.20%
47102X105          JANUS CAPITAL GROUP INC.                        0.24%
46625H100          JPMORGAN CHASE & CO.                            2.09%
500255104          KOHL'S CORPORATION                              0.94%
55611C108          MACROVISION SOLUTIONS CORPORATION               1.44%
G5876H105          MARVELL TECHNOLOGY GROUP LTD.                   1.39%
589331107          MERCK & CO., INC.                               0.66%
59156R108          METLIFE, INC.                                   0.79%
594918104          MICROSOFT CORPORATION                           2.40%
617446448          MORGAN STANLEY                                  0.44%
628530107          MYLAN LABORATORIES INC.                         1.27%
62913F201          NII HOLDINGS, INC.                              0.27%
G65422100          NOBLE CORPORATION                               0.39%
654902204          NOKIA CORPORATION (ADR)                         0.92%
670346105          NUCOR CORPORATION                               0.37%
674599105          OCCIDENTAL PETROLEUM CORPORATION                0.66%
67622P101          OFFICEMAX INCORPORATED                          0.42%
68389X105          ORACLE CORPORATION                              1.27%
717081103          PFIZER INC.                                     1.89%
718172109          PHILIP MORRIS INTERNATIONAL INC.                1.89%
742718109          PROCTER AND GAMBLE COMPANY                      1.86%
744320102          PRUDENTIAL FINANCIAL, INC.                      0.40%
744573106          PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED    1.31%
747525103          QUALCOMM INC.                                   1.42%
749121109          QWEST COMMUNICATIONS INTERNATIONAL INC.         0.98%
755111507          RAYTHEON COMPANY                                1.11%
767754104          RITE AID CORPORATION                            0.59%
805423308          SAVVIS, INC.                                    0.69%
806605101          SCHERING-PLOUGH CORPORATION                     1.76%
806857108          SCHLUMBERGER LIMITED                            0.55%
817315104          SEPRACOR INC.                                   0.55%
832727101          SMURFIT-STONE CONTAINER COMPANY                 0.15%
78462F103          SPDR TRUST SERIES 1                             1.56%
857477103          STATE STREET CORPORATION                        0.41%
87612E106          TARGET CORPORATION                              0.56%
G90073100          TRANSOCEAN INC.                                 0.45%
87311L104          TW TELECOM INC.                                 0.30%
902549807          UAL CORPORATION                                 0.39%
911312106          UNITED PARCEL SERVICE INC. (CLASS B)            1.35%
913017109          UNITED TECHNOLOGIES CORPORATION                 0.72%
91324P102          UNITEDHEALTH GROUP INCORPORATED                 0.57%
91913Y100          VALERO ENERGY CORPORATION                       0.45%
929903102          WACHOVIA CORPORATION                            0.27%
949746101          WELLS FARGO & COMPANY                           0.75%
983024100          WYETH                                           1.93%
98385X106          XTO ENERGY INC.                                 0.67%
984332106          YAHOO!, INC.                                    1.34%
98956P102          ZIMMER HOLDINGS, INC.                           0.31%
                   U.S. DOLLARS                                    3.40%
                                                                 100.00%




















View more information on Tri-Continental Corporation or other Closed-End Funds




©1999-2010 Closed-End Fund Association, Inc. All Rights Reserved

  Powered by a SySys® data & content management system. Click here to learn more.